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SNDL - SNDL Inc.

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SNDL Inc.

SNDL

NASDAQ

SNDL Inc. engages in the production, distribution, and sale of cannabis products in Canada. The company operates through Cannabis Operations and Retail Operations segments. It engages in the cultivation, distribution, and sale of cannabis for the adult-use markets; and private sale of recreational cannabis through corporate owned and franchised retail cannabis stores. The company also produces and distributes inhalable products, such as flower, pre-rolls, and vapes. It offers its products under the Top Leaf, Sundial Cannabis, Palmetto, and Grasslands brands. The company was formerly known as Sundial Growers Inc. and changed its name to SNDL Inc. in July 2022. SNDL Inc. was incorporated in 2006 and is headquartered in Calgary, Canada.

1.91 USD

0.01 (0.524%)

SNDL Financial Statements

Year

2023

2022

2021

2020

Total Revenue

909.01M

712.2M

56.13M

60.92M

Cost of Revenue

718.59M

571.82M

63.12M

110.79M

Gross Profit

190.41M

140.38M

-6.99M

-49.87M

Operating Expenses

353.23M

201.65M

60.71M

47.4M

Research and Development

324k

2.45M

2.45M

488k

Selling, General & Administrative Expenses

230.17M

158.26M

55.72M

46.33M

Selling & Marketing Expenses

15.04M

8.42M

5.04M

5.74M

General & Administrative Expenses

215.13M

149.84M

50.68M

40.59M

Other Expenses

122.74M

40.95M

2.55M

583k

Operating Income

-162.82M

-61.27M

-132.13M

-185.4M

Total Other Income/Expenses Net

-9.2M

-32M

-100.32M

-20.91M

Income Before Tax

-172.02M

-379.77M

-232.45M

-206.32M

Income Tax

0

-7.34M

-2.27M

49.61M

Net Income

-172.66M

-372.43M

-230.18M

-255.93M

Basic EPS

-0.67

-1.62

-1.24

-11.71

EPS Diluted

-0.67

-1.62

-1.24

-11.7

Basic Average Shares

259.37M

229.87M

186.04M

21.86M

Diluted Average Shares

259.37M

229.87M

186.04M

21.86M

EBITDA

-99.15M

-306.83M

-127.41M

-180.69M

Retained Earning Schedule

Year

2023

2022

2021

2020

Retained Earnings (Previous Year)

-1.09B

-788.51M

-564.57M

-360.34M

Net Income

-172.66M

-372.43M

-230.18M

-255.93M

Stock Repurchases

-1.54M

-13.39M

0

0

Dividend Paid

0

0

0

0

Retained Earnings

-1.26B

-1.09B

-788.51M

-564.57M

Other Distributions

-170.39M

-316.88M

-223.94M

-204.23M

PPE Schedule

Year

2023

2022

2021

2020

Gross PPE

282.6M

277.56M

63.19M

119.56M

Annual Depreciation

64.95M

47.32M

10.16M

11.58M

Capital Expenditure

-7.93M

-10.86M

-3.79M

-3.17M

Net PPE

225.58M

241.1M

56.82M

111.15M

Intangible and Goodwill Schedule

Year

2023

2022

2021

2020

Acquisitions and Adjustments

52.02M

-47.28M

114.54M

-11.44M

Goodwill (Previous Year)

67.26M

114.54M

0

11.44M

Goodwill

119.28M

67.26M

114.54M

0

All figures are in CAD.

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